Analyst – Rmg Collateral Optimization

Barclays

Mumbai, India
Python, sql, microsoft excel technical skills
Understanding of derivatives irs fx swaps equity trs
Knowledge of gitlab ci/cd kubernetes docker concepts
This role leverages technology and risk expertise to aid management in effectively understanding and managing the Risk & Collateral nuances of Global Markets

Job Summary

  • This role leverages technology and risk expertise to aid management in effectively understanding and managing the Risk & Collateral nuances of Global Markets.
  • The position requires strong technical skills in Python, SQL, and coding tools like Gitlab, CI/CD, Kubernetes, and Docker to build next-generation tools.
  • Candidates must possess a graduate degree or MBA from a top-tier institution and demonstrate excellent stakeholder management capabilities across Sales, Trading, and Product Control teams.

Matching Summary

This role leverages technology and risk expertise to aid management in effectively understanding and managing the Risk & Collateral nuances of Global Markets.

Skills & Requirements

Must-have

  • Python, SQL, Microsoft Excel technical skills
  • Understanding of derivatives IRS FX swaps Equity TRS
  • Knowledge of Gitlab CI/CD Kubernetes Docker concepts
  • Graduate or MBA from top tier Engineering/Business school
  • Strong verbal and written communication skills

Nice-to-have

  • Experience in Counterparty or Market Risk
  • Familiar with Prime services Repo stock loans Derivatives
  • Progress on CFA or FRM certification preferred
  • Understanding of Equities FX Macro Credit asset classes
  • Collaborative and entrepreneurial drive to partner across regions

Key Requirements

  • Graduate or MBA from top tier Engineering/Business school
  • Basic understanding of Financial Markets Risk Margin IM VM concepts
  • Knowledge of Regulatory Framework and control frameworks within the bank

Work Rights

Not specified

Tailored Resume

Cover Letter